FISCH Convertible Dynamic Fund RE
High conviction access to flexible alpha generation across the global convertible bond universe
to give long-term returns comparable to equity but with lower risk.
Key data
- Name
- FISCH Convertible Dynamic Fund RE
- Currency
- EUR
- Fee class
- Retail
- Distribution mode
- Accumulating
- Registered countries
- LU,CH,DE,AT,LI,FR,ES
- Minimum investment
- 100
- Management fee
- 1.00 %
- Performance fee
- None
- Upfront fee
- max. 3.00 %
- ISIN
- LU2117756457
- Valor
- 52496465
- WKN
- A2PZ3Z
- Bloomberg
- FISGREA LX
- Inception date
- 14.02.2020
- Last price
- 141.60
- Last price date
- 01.07.2026
Performance per 01.07.2026
FISCH Conv Dyn RE (EUR) FTSE Global Vanilla EUR hedged (EUR)
| Period | Since inception* | 5 years* | 3 years* | 1 year | Year to date | Quarter to date | Month to date |
|---|---|---|---|---|---|---|---|
| Performance - FISCH Conv Dyn RE | 5.61 % | 2.09 % | 11.69 % | 24.58 % | 13.84 % | -1.22 % | -1.22 % |
| Performance - FTSE Global Vanilla EUR hedged | 8.60 % | 5.02 % | 15.63 % | 28.61 % | 15.12 % | -1.03 % | -1.03 % |
Contacts
-
Patrick Stauffer
Senior Business Development, Switzerland
T +41 44 284 28 92
patrick-stauffer@fisch-am.com
-
Thomas Henauer
Head Business Development
T +41 44 284 28 91
thomas-henauer@fisch-am.com